Responsibilities: • Arrange, coordinate, and actively participate in daily, weekly, monthly, or as-needed virtual calls with the Company offices in the US/UK/Philippines offices to support clients during their local business hours in the US. • Own day-to-day client accounting activity — including entry, approval tracking, and reconciliation of Accounts Payable (A/P), Accounts Receivable (A/R), expense reimbursements, and bank/cash transactions. • Prepare monthly close schedules, ensure supporting documentation and reconciliations are properly maintained, and produce management reporting packages. • Assist with financial statement preparation under U.S. GAAP or UK IFRS, ensuring consistency, accuracy, and audit readiness. • Evaluate existing financial workflows, identify control gaps or inefficiencies, and propose and lead process improvement initiatives. • Coordinate onboarding of new clients — including setup of charts of accounts, custom reporting formats, and cloud accounting tools. • Support preparation of budgets, forecasts, and variance analyses; prepare FP&A deliverables and contribute to client performance reviews. • Perform research on complex accounting issues and provide technical memos or documentation to support conclusions. • Review vendor and service-provider contracts for appropriate accounting treatment, cost effectiveness, and compliance alignment. • Assist client CFOs or Accounting Managers with ad-hoc financial modelling, cash flow projections, or strategic analysis. • Collaborate with team leads and IT to standardize accounting processes and system integrations across multiple platforms (QuickBooks, Xero, Sage Intacct, Fathom, etc.). • Participate in special projects involving internal reporting automation, KPI/BI-dashboard development, or client due-diligence support. Qualifications: • Minimum 5 years of experience in corporate, fund, or outsourced accounting, ideally within financial services or alternative investment sectors which may include, but not be limited to: hedge funds, private equity, venture capital. • Bachelor's degree in Accounting, Finance, Economics, or Business. • Active CPA is required. • Experience in a public accounting firm, fund administrator, or internal accounting role within an investment fund environment strongly preferred. • Demonstrated ability to manage multiple client accounts and meet deadlines in a dynamic, high- volume setting. • Exceptional attention to detail with problem-solving mindset and strong initiative. • Excellent organizational and interpersonal communication skills; able to interact confidently with clients and cross-border teams. • Advanced proficiency with Microsoft Excel and Office Suite; strong working knowledge of QuickBooks and/or Xero required. • Comfort with cloud-based collaboration tools (e.g., Slack, Teams, SharePoint) and document control environments. • Professional, reliable, and resourceful team players passionate about continuous learning in an entrepreneurial environment.
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Job Type
Full-time
Career Level
Mid Level